REGISTERED CHARITh NLthIBEIL" IIJ44084
REPORT OF THE TRUSTEES AND
UNAUDITED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 2025
FOR
THE HIRAM TRUST
Bronsens
Chartered C8rtffjed A¢DJunlarrts
Eden House
Two Rivers Business Park
tney
Oxfonlshire
OX28 4BL

THE HIRAM TRUST
CONTENTS OF THE FINAhlCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 2025
g•
Rgforence and Admlnlstsative Delails
Report Of1￿ T￿￿t8•S
2 to 3
Independent Ex•min*$ Report
statement of Flnancial Activltl
Balance Sh901
Nots8 to Ihg Flnancknl Stat¢ments
7 to 10
Detalled Ststementof Financlal A¢bvltl••

THE HIRAM TRUST
REFERENCE AND ADMINISTrATIVE DETAILS
FOR THE YEAR ENDED 31 AUGUST 2025
TRUSTEES
Mr l K Clements
MrA C H Gordon OBE
PRINCIPAL ADDRESS
Ruskin ￿11
Old Bristol Roa
Nailsworth
Glou¢&stershre
GL6 OLA
REGISTERED CHARITY
NUM8ER
INDEPENDENT EXAMIMER
Bronsens
Chartered Certnled A￿￿ntantS
Eden House
Two ￿'VerS BU￿neSS Pa
Wlney
Oxfotdslmr
OX28 4BL
Page 1

THE HIRAM TRUST
REPORT OF ThE TRUSTEES
FOR THE YEAR ENDED 31 AUGUST 2025
The trustees Present their raport with the fm8ncial stalernenls of the charity for the year ended
31 August 2025. The trustees have adopted the prowsions of Amnling and Reporting by Chaiities..
Statement of Reo)mmended Piacbce applicable to tharit￿s preparing their accounts in accordance with the
Financial Reporting Stsn4Y8rd applrable in the UK and Rep￿)1￿ of ]rel￿d IFRS 1021 (effective 1 January
20191.
O&JECTIVES AND AcnvmES
Objecdves and actlvltle$
The ¢harrtable objectNe of the Hwam Trust is lo ￿arrE the edwb.on of the public by providing or assisting
in Ihe provision of experiential and praaul sknlls crfEnlaled edu(slSon in asS￿lat￿)n with 8¢hods. and
independgnt educational initiatives which aco)rd the oducatKJnal pnne4)les of Rudolf Sleir*r.
In furtheran￿ of the above the Trust has the fdkmng powers..
1. To tscilitate thè development of Fyrientval Leanmng" in Ruddf Steiner I Wal(hJrf Upper Schools, and
independent educational initiatives which attord the prinaples ofthe Hiram Twst-,
2. To ohr studènts a ￿MC￿luM ￿ Ihe primary and INiwJ Crafts arising out of the stuoy and pra¢Xth of
onvironm8ntal and18ndscape husbarKIry'.
3. To encouragg a Ihre&dimensional, experi8nts.al educative process through the sdenc* and art of nature
and development of a Goethean scientific approach..
4. To promote research in OTder lo develop tha work of the Hlram Trust, and to expkye therapeut￿ valu$ of a
t78ft curriculum foT the incamating addescenl..
5. To sponsor, SUPF*Xt or akl in the wemtition of experiential leanlng dther within existing xthools or in new
educational e5tablishmenls and lo provide lund$ for sl￿ purposes upon such ccfftdibons as the trustees may
Ihink f
6. fo rfflnL publrsh and car¢ulate books. pen￿lI(SI¥ or p3mFthJets and generalty to (lis5eminale information in
relation to the principkn of the Hiram Trust.
ACHIEVEMENTS AND PERFORMANCE
Charilable o¢tivlll•s
The primary activity for the year wa5 the 0[￿ratIOn of the Field Cantre, based near Nailsworth. which has
bpen used for a wide varièty of education81 and reseaTch purposes in furtherance of the ¢hariV$ objeclives.
In addition. the Trust supported the preparalion of two pUb￿catI1)n5 whth are deswJned to help tèachers and
pra(Ilboners use Ihe practice of c¥afts and gardening in an ed￿tiOnal context.
FIMANCIAL REVIE
Flnancial perfomwnce and reserves pollcy
Income for Ihè wr was £26.37412024 - £26,373) and expendhure was £15,38812024 - £25,256>. The n8t
movement on funds was a surplu5 Df £10,986 (2024- £1,020). The tharity's res8rv&s a131 August 2025 weT8
£414.. all ofwhK* wore unrestsi¢ted.
There is no reservos policy in place as Ihg Trust is expected to have a lim(ted Irfaspan. However, If the
trustees dec4de that the Hiram Trust should c*)ntnue, Ihey wlll agree and implement a rwrves poliLy for th8
fuiure.
FUTURE PLANS
11 is Ihe intention of the trustees to grft the Field Centre to the rel8ied tharilthe ¢x>mp8ny The Ruskin
Mill Centre for Rèsearch whose objects are compalilje wilh the objects of the Hiram Trust. FdltyAng the
transfer of the Field Centre il is the intenth.on of the trustees that the Hiram Trust wll wound up.
Page 2

THE HIRAM TRUST
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 AUGUST 202$
STRUCTU￿ GOVERNAPICE AND MANAGEMEMT
Gov8mlng docun*nt
The Charity is CAinlrolled by its govemiThJ documerrt, a dged oftrusl. and ￿n$t[tUt¥S an unintrjrp0ra￿ tharty.
The cl)arfty Is constituted un¢Jer a tru81 dged dated 31 Decentsr 1994 and is a registered charity, registered
on 13 February 1995.
Organi8atlonal slructure
The Trust is wn by a board of three trustees who make all Ihe decisions. The truslg9s convene al ￿6t
formal board meetings a year.
If the number of trustees falls below three, additional tru5tee5 are to ￿ app)inted by resolution.
The TTUSt office Is srtualed al Ruskin Illill, Oky Bristol Road. Nailsworth, Gkjucestershire, GL6 OLA.
Approv
by order ofthe board oftrustees on 15 May 2026 aTrJ sgrwj on hs behalf by..
Mr A C H Gordon OBE- Trustee
Page 3

INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF
THE HIRAM TRUST
Independent ex4mSnerfs reportto th• trust8es of The Hlrnm Tru8t
I report lo thè charity trustees on my examination of the ac£ounts of The Hiram Trust (the Trust) for the ygar
8nd8d 31 August 2025.
Responsibilities and ba818 of report
As the charity trust8es of the Trust YOU 8*e responsib￿ for the preparal*)n of the acKounls in accordanch wrfh
the requirernents of Ihg Ch8ritiesAd 20111'lhe Acri.
I rewrt in respect tsf my ￿minatiOn of the Twsl's acc4)unts wi8d out undw Sèrjion 145 of the Act and '
¢￿rryIng out my examination I have folowed 811 a￿￿a￿le DI￿rA10nS gNen by the Charity Commission undgr
Section 145151{b} of Ihe A(*.
Independent examin•rf8 ststement
I havè ttjmpleted my examination. l ojnfirm that no material mattsrs have come to my attention in conne¢lion
wSth the examinatiC￿ gmng mg cause to believe that in any matenal fespect:
8c£ounting recth(Is werg nol kept in re5peia oflhe Twst a5 requY8d by Section 130 oflhe k4. or
th¥ a¢counts do not a¢xord with Ihose rec￿￿$., or
the accounts do not CX)rn￿ wilh ihe applicable requirement$ con￿MIng the fomi and content of
a(tounts set o¢Jt in the Charitses (Accounts and Reports} ReguL3t￿n$ 2Ch)8 other than any requirement
that the a￿Ounts give a Iwe and fair view which is nol a matter o)nsidered as part of an independent
examinallon.
I have rKI ￿n¢emS and have come acros$ no other matters in ccnng¢lion with the examlnalion to which
attention shDuld be drawn in Ihis ￿[￿rt in order Its enable a prcyer understsnding of the 8ccounls lo be
reached.
Philip Burton Bsc FCA
Bronsens
Chartered Certified Ae4>)untsnts
Eden House
Two RNers Business Pa
tney
Oxfordshire
OX28 4BL
15 May 2026
Page 4

ThE HIRAII TRUST
STATEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 31 AUGUST 2025
31.8.25
un￿strICted
lund
31.8.24
Total
funds
Not&s
INCOME AND EMDOWMETrtrs FROM
Don*KJns and kga(ae8
124
126
Charitable •¢tl¥ltl•s
Other i￿￿)mil¥￿ resources
26,250
28,250
Totsl
26.374
26,376
EXPENDITURE ON
Charftable acllvilie$
Olher tharitabl8 expendrtu
12,388
22,396
Olher
3,OQJ
2.88AJ
Totsl
15.388
25.256
NET INCOME
10,986
1,120
RECONCIUATION OF FUNDS
Total funds brought forward
403.305
402.185
TOTAL FUNDS CARRIED FORWARD
414291
403,305
The not8s form part of these financial ststements
Pagg 5

THE HIRAM TRUST
BALANCE SHEET
31 AUGUST 2025
31.8.25
Unrestficted
fund
31.8.24
Total
nds
Notes
FIXED ASSETS
Tangible assets
346,615
358.047
CURRENT ASSETS
Debtors
Cash at bank
13,184
61,887
12,811
36,602
75,071
49,413
CREDITORS
Arno(tnts falling due Wthln one yoar
(7,395)
11,5001
NET CURRENT ASSErs
67,676
47.913
TOTAL ASSETS L&8S CURREIIT
LIABIUTIES
414,291
405.960
CREOITORS
Amounts folling due after mora than one ye8r 7
12.655)
NEf ASSETS
414,291
403.305
FUNDS
Unrestricted fuThJs
414.291
403.305
TOTAL FUNDS
414.291
403.305
Th& finar￿JaI statements were appYowJ by the Board of Tnjslees authorised for issue on 15 May 2028
and were signed on its behalf by.
Mr
Gordon OBE- Trustee
The notes form part ofthese finat)d81 statements
Page 6

ThE HIRAMTRUST
NOTES TO THE FINANCIAL STATrIE1￿$
FOR THE YE4R ENDED 31 AUGUST 2025
ACCOUNTING POLICIES
8a$i$ of pr¢partng the financial tststrM•nts
The financaal slalemenls of the charity. whlth Is a plkn1￿ benefit enlrty undar FRS 102, have been
prepared in 8(tordance vthh the Charities SORP IFRS 1021 'Accounling and Reporting by Chatiti88:
Statement of Ro¢ommended Practi￿ applicable to ch8ribes prepa￿ng thelr accounts in awrdan(*
with the Finan￿al Reportiw Standard applicable li the UK and Reputlic of Ireland IFRS 102)
(effective 1 January 20191,. Financial Repcirting Standaf(1 102 The Fnancia Reporbng Standard
applicable in the UK and Republi¢ of Ireland, and the Charibes Act 2011. The finanfial statements have
btren pr&pared under the histori￿1 cost convention.
The finandal $talemenls are prepares in stsrfing whK* 1$ the luncthorAI currentry of the c*arty and
rounded to the nearest £.
Flnanclal reporting ¥tsndard 102 - reduced dlsclosure exgmptlo
The charity has taken adv8nlagè of lh8 following disclosurg exernpt￿n in FKeparing these financial
statements, as pemiitted by FRS 102 The Finanaal Reporting Standard applicable in the UK and
Republic of Ir8land':
the req￿rements of Section 7 Stslemont of Cash Fkhvs.
Incom9
All inctsmè is recc4Jnised in the Statement of Financial Acbvitres onc* th& charity has enlilemenl kn th9
lunds, it is probable that the Income will be r￿1ved aThl the amount can b8 rnea5ured relk8bty.
Expenditure
Liabilitiès are reLwni5ed a5 expenditure as soon as there is a legal or con8lruc*"ve oblKJab'on
committing the tharity lo that expenditure, it is probable that 8 ￿sfer of economic btsnefils will bg
required in setttement the amtsunl of the obligalM￿ be measurgd rella￿y. Ewnditurè is
accountsd for on an ac¢nJals b8Sts and has been dassffied under headings Ihat aggregate all o)st
relate<l lo the category. VWere costs txnnol be diredty athIL￿ted to paiticdar headings they have been
all¢xated to athwligs on a basis wnsistsnl wlh tha use of resources.
Tanglblg fixed ￿￿ets
Deprec48t￿n 1$ prowded at the foll(Ming 8nnual rates in order to wrile off each asset ¢)ver its estimated
uselul lrfe.
Freehold propety
Fixtures and ffttings
2% on ￿91
Straiyhl line ovgr 5 years
Items of eqiipmenl are capitalised where the purchase price ex¢xeds £S)O. Ass8ts ar8 depreciated
from the date on whkth thay are brought into us•.
Taxation
The charty is exempt knm tax on its Charitsb￿ 8clfiwties.
Fund •e¢ounllng
unreStr￿ted funds can be use(1 In atxordance wrfh the tharItab￿ o*"ectives at the discretion of I
trustsO8.
Restr￿ted funds only be used for p8￿cular restrided pwposes withu) the objects of Ihe charity.
Restrictions ariso when speafied by the donor or when funds a￿ raised for particular restricted
purposes.
Further explanabon ol the naiure and purpose of eath fund is induded in the notes to the finanoal
sktemèn
Page 7
conlinued...

THE HIRAM TRUST
NOTES TO THE FIPIANCIAL STATEMENTS - continued
FOR THE YEAR ENDED 31 AUGUST 2025
OTHER
31.8.25
31.8.24
SuppNt costs
3,C#)O
TRUSTEES. REMUNERATION AND BENEFrrs
There were no trustee8' remuneration or (ther bgngfiis for the year 8nded 31 A￿U$l 2025 nor for the
year ended 31 August 2024.
TN¥tees' expenM8
There were no trustees, expenses pa¥J for the year ended 31 Au9usI 2025 Thy for th8 yaar ended
31 August 2024.
TANGIBLE FIXED ASSETS
FNtures
and
ffttings
Freehold
Totals
COST
At 1 September 2024 and
31 August 2025
445,047
35,523
480.570
DEPRECIATION
Al 1 September 2024
Charge for year
91,124
8,901
31,399
2,531
122,523
11,432
AI 31 August 2025
100.025
133.955
NET BOOK VALUE
Al 31 August 2025
345.022
1,593
346,615
Al 31 August 2024
353,923
4.124
358.047
DEBTORS: AMOUNTS FALLING DUE WITHIM ONE YEAR
31.8.25
31.8.24
Trade debtors
VAT
3C£I
12.884
150
12.661
13,184
12.811
Page 8
continued...

ThE HIRAhl TRUST
NOTES TO THE FINANCIAL STATEMENTS- conllnued
FOR THE YEAR ENDED 31 AUGUST 2026
CREDITORS.. AMOUNTS FALUNG DUE WITHIN ONE YEAR
31.8.25
31.8.24
Trade credrtors
Amwnts due lo ￿lated paty Company
Accwed expenses
1.440
2,655
3,300
1,￿10
7,395
1.500
CREDITORS: AMOUPffi8 FALLING DUE AFTER MORE THAN ONE YEAR
31.8.25
31.8.24
Other creditors
2.855
IAOVEhlENT IM FUNDS
Nèt
movement
in fuThJ$
Al
318.25
Al 1.9.24
Unr•stricted lund$
General fund
403.305
10,986
414291
TOTAL FUMDS
403.305
10,986
414.291
Net n￿ement in fuThls, ir￿lUded in thè above are as folk)ws.'
I￿)mIng
Resources Movement
rèsour￿ expetKlgd
kn fvnds
Unrestrictsd ful￿8
Geftaral l￿d
26274
(15,3881
10,966
TOTAL FUNDS
26,374
(15.388)
10.986
Comparntivos for movement In fund8
Nel
m0￿M@nI
in ￿n￿$
At
31.824
Al 1.9.23
Unr•$tri¢tgd fvndg
General fuThJ
402.185
1,120
403,305
TOTAL FUNDS
402,185
1,120
403.305
Pag8 9
continued...

THE HIRAAI TRUST
NOTES TO THE FINANCIAL STATEMEMTS - conllnuod
FOR THE YEAR ENDED 31 AUGUST 2025
MOVEMENT IN FUNDS- continued
Comparative nel rnovement in funds. ￿ludad in the above a￿ as fc41ows.'
Incoming
resources
Resources Movement
expended
in funds
Unr•strl¢t•d fvnds
General fund
26,376
I25,2￿)
1,120
TOTAL FUNDS
26,376
(25,2561
1.120
RELATED PARTY DISCLOSURES
Th8re were no related paty transactiC￿S k)r the year endeil 31 August 2U25.
Page 10

THE HIRAM TRUST
DEfAILED STATEMENT OF FINANCIAL ACTMTIES
FOR THE YEAR ENDED 31 AUGUST 2025
31.8.25
31.8.24
INCOME AND ENDC>VIMENTS
Donatlon$ and1ggaG*s
DonalK)ns
124
126
cttarflablo a￿1¥1118$
Hire of premise$
26.250
26,250
T¢)tsl in¢omlng r•sour¢e*
26,374
26,378
EXPENDITURE
Charltable acliviti88
Building and ground iMproven￿$
Freeh¢)Id PTopgrty
Fixtures and ffittiThJs
10.964
8,901
2,531
8,901
2,531
12.388
22,3
Support CO8ts
Acmintancy
Bank d￿rgeS
Tolal resources eynded
15.388
25,256
N•t Income
10.986
1,120
This page does not fom part oflh8 staluW finarwl stalemor
Pag&11